Practice Expertise

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Areas of Practice

  • Capital Markets and Securities
  • Corporate
  • Corporate Governance and Board Advisory
  • Mergers and Acquisitions
  • Mortgage REITs
  • Real Estate Capital Markets
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Profile

John’s practice focuses on public and private securities offerings, SEC reporting, corporate governance and other transactional matters.

John assists clients in US capital markets transactions, including public and private offerings of debt and equity securities. He also advises clients regarding periodic SEC reporting, corporate governance and compliance matters. His practice focuses particularly on Real Estate Investment Trusts (REITs).

Relevant Experience

  • Since joining the firm, John has advised on transactions aggregating to more than $4 billion in gross proceeds.
  • John has represented issuers and investment banks in connection with public and private offerings of common and preferred equity and senior and convertible debt securities, including initial public offerings, follow-on offerings and “at the market” offerings.
  • Advises issuers with respect to ongoing compliance with SEC disclosure obligations, listing requirements for exchanges such as the NYSE, and corporate governance matters.
  • Has previously worked as a summer clerk in both the United States Court of Appeals for the First Circuit and the United States Court of Appeals for the Fourth Circuit.

Education
BA, University of North Carolina at Chapel Hill, 2014

Areas of Practice

  • Capital Markets and Securities
  • Corporate
  • Corporate Governance and Board Advisory
  • Mergers and Acquisitions
  • Mortgage REITs
  • Real Estate Capital Markets

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